For best results when printing this announcement, please click on link below:
https://newsfile.refinitiv.com/getnewsfile/v1/story?guid=urn:newsml:reuters.com:20260106:nRSF7123Na&default-theme=true
RNS Number : 7123N Galliford Try Holdings PLC 06 January 2026
06 January 2026
Galliford Try Holdings plc
Transaction in Own Shares
GALLIFORD TRY HOLDINGS PLC ("Galliford Try", or the "Company") announces that
on 5 January 2026 it purchased the following number of its Ordinary shares of
50p each from Panmure Liberum Limited as part of the buyback programme
announced on 17 September 2025.
Date of Purchase 5 January 2026
Aggregate number of Ordinary 50p shares purchased 45,000
Lowest price paid per share (GBp) 506.00
Highest price paid per share (GBp) 518.00
Volume weighted average price paid per share (GBp) 512.77
Broker PANMURE LIBERUM LIMITED
Galliford Try intends to cancel the purchased shares.
Following settlement of the above purchases, Galliford Try has purchased a
total of 1,379,298 shares since the commencement of the buyback programme and
will have 100,901,114 ordinary shares of 50 pence each in issue. There are 0
shares held in treasury. This figure 100,901,114 represents the total number
of voting rights in Galliford Try and can be used by shareholders as the
denominator for the calculations by which they can determine if they are
required to notify their interest in, or change to their interest in, the
Company under the Financial Conduct Authority's Disclosure and Transparency
Rules.
Trading Venue / SI Volume-weighted average price paid per share (Gbp) Aggregated number of shares purchased
AQUIS (AQXE) - -
BATS (BATE) - -
Chi-X (CHIX) - -
Turquoise (TRQX) - -
London Stock Exchange (XLON) 512.77 45,000
Total 512.77 45,000
In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (as such
Regulation has become part of domestic law by virtue of and for the purposes
of the European Union (Withdrawal) Act 2018 (as amended by the European Union
(Withdrawal Agreement) Act 2020) and as such Regulation has been amended in
such form by any regulations made under that Act), the schedule below contains
detailed and aggregated information of the individual trades made by Panmure
Liberum Limited as part of the buyback programme.
This announcement is made in accordance with the requirements of Listing Rule
9.6.6.
For further enquiries, please contact:
Kevin Corbett, General Counsel & Company Secretary 01895 855 001
Schedule of Purchases - Individual Transactions
Number of shares purchased Transaction price (GBp) Venue Time of transaction Trade ID
147 518 XLON 08:32:19.717 00043114162TRLO0
38 518 XLON 08:32:19.717 00043114163TRLO0
69 518 XLON 08:39:10.791 00043114358TRLO0
270 518 XLON 08:39:10.791 00043114359TRLO0
167 516 XLON 08:40:02.818 00043114370TRLO0
411 516 XLON 08:40:02.818 00043114371TRLO0
211 515 XLON 08:40:02.823 00043114372TRLO0
109 513 XLON 08:43:00.292 00043114463TRLO0
272 513 XLON 08:43:23.315 00043114470TRLO0
185 514 XLON 09:05:11.615 00043115132TRLO0
54 514 XLON 09:05:11.615 00043115133TRLO0
361 514 XLON 09:05:11.615 00043115134TRLO0
74 514 XLON 09:05:11.615 00043115135TRLO0
181 514 XLON 09:05:11.615 00043115136TRLO0
254 512 XLON 09:05:22.536 00043115139TRLO0
344 511 XLON 09:05:22.536 00043115141TRLO0
248 509 XLON 09:09:24.888 00043115261TRLO0
322 508 XLON 09:09:24.959 00043115262TRLO0
25 507 XLON 09:09:24.959 00043115263TRLO0
225 509 XLON 09:20:13.040 00043115550TRLO0
457 507 XLON 09:21:17.938 00043115599TRLO0
612 507 XLON 09:30:02.563 00043115910TRLO0
371 506 XLON 09:30:43.426 00043115935TRLO0
59 507 XLON 10:18:01.046 00043117397TRLO0
243 507 XLON 10:18:01.046 00043117398TRLO0
243 507 XLON 10:18:01.046 00043117399TRLO0
280 507 XLON 10:18:01.046 00043117400TRLO0
68 507 XLON 10:18:01.048 00043117401TRLO0
171 508 XLON 10:21:39.681 00043117497TRLO0
38 508 XLON 10:21:40.319 00043117498TRLO0
392 508 XLON 10:21:40.319 00043117499TRLO0
104 508 XLON 10:29:59.411 00043117745TRLO0
212 508 XLON 10:29:59.411 00043117746TRLO0
42 508 XLON 10:30:01.148 00043117756TRLO0
146 508 XLON 10:30:01.148 00043117757TRLO0
105 510 XLON 11:26:46.392 00043120353TRLO0
534 510 XLON 11:26:46.392 00043120354TRLO0
991 510 XLON 11:26:46.392 00043120355TRLO0
286 510 XLON 11:26:46.392 00043120356TRLO0
388 510 XLON 11:26:46.392 00043120357TRLO0
339 510 XLON 11:26:46.508 00043120358TRLO0
1033 508 XLON 11:42:45.495 00043120797TRLO0
162 509 XLON 11:52:25.498 00043121243TRLO0
906 509 XLON 13:21:02.111 00043123700TRLO0
90 510 XLON 13:33:06.615 00043124411TRLO0
370 510 XLON 13:33:06.615 00043124412TRLO0
731 510 XLON 13:33:06.615 00043124413TRLO0
113 510 XLON 13:33:06.698 00043124414TRLO0
280 510 XLON 13:33:06.698 00043124415TRLO0
101 510 XLON 13:33:06.698 00043124416TRLO0
68 510 XLON 13:53:41.682 00043125061TRLO0
79 510 XLON 13:53:41.682 00043125062TRLO0
44 510 XLON 13:53:41.682 00043125063TRLO0
355 510 XLON 13:53:41.682 00043125064TRLO0
290 510 XLON 13:53:41.682 00043125065TRLO0
915 510 XLON 13:53:41.682 00043125066TRLO0
139 509 XLON 13:53:41.709 00043125067TRLO0
115 509 XLON 13:53:51.505 00043125133TRLO0
150 512 XLON 14:14:28.096 00043125922TRLO0
514 512 XLON 14:19:59.232 00043126168TRLO0
123 512 XLON 14:20:16.660 00043126184TRLO0
869 512 XLON 14:20:16.660 00043126185TRLO0
216 512 XLON 14:27:43.863 00043126498TRLO0
215 512 XLON 14:27:48.662 00043126503TRLO0
959 511 XLON 14:37:18.064 00043127137TRLO0
381 513 XLON 14:37:18.073 00043127138TRLO0
87 513 XLON 14:37:18.073 00043127139TRLO0
76 513 XLON 14:37:18.125 00043127140TRLO0
381 513 XLON 14:37:18.125 00043127141TRLO0
290 513 XLON 14:37:18.125 00043127142TRLO0
229 513 XLON 14:37:18.125 00043127143TRLO0
841 513 XLON 14:37:18.125 00043127144TRLO0
26 514 XLON 14:39:50.129 00043127250TRLO0
3086 514 XLON 14:39:50.129 00043127251TRLO0
1495 513 XLON 14:45:11.513 00043127491TRLO0
227 513 XLON 14:53:31.544 00043127956TRLO0
959 512 XLON 15:04:03.171 00043128966TRLO0
80 513 XLON 15:04:03.178 00043128967TRLO0
432 513 XLON 15:04:03.178 00043128968TRLO0
379 513 XLON 15:04:03.178 00043128969TRLO0
39 513 XLON 15:04:03.178 00043128970TRLO0
71 513 XLON 15:04:03.178 00043128971TRLO0
173 513 XLON 15:07:52.041 00043129166TRLO0
124 513 XLON 15:10:16.710 00043129271TRLO0
179 513 XLON 15:10:16.710 00043129272TRLO0
268 514 XLON 15:31:02.012 00043130295TRLO0
144 514 XLON 15:31:02.012 00043130296TRLO0
283 514 XLON 15:31:02.012 00043130297TRLO0
70 514 XLON 15:31:02.012 00043130298TRLO0
210 515 XLON 15:31:02.304 00043130299TRLO0
955 515 XLON 15:31:02.304 00043130300TRLO0
253 515 XLON 15:31:02.362 00043130301TRLO0
366 515 XLON 15:31:02.362 00043130302TRLO0
1189 515 XLON 15:31:02.362 00043130303TRLO0
332 514 XLON 15:34:31.835 00043130437TRLO0
1200 514 XLON 15:34:31.836 00043130438TRLO0
100 515 XLON 15:44:25.040 00043130835TRLO0
234 515 XLON 15:44:25.040 00043130836TRLO0
899 516 XLON 16:02:20.522 00043131636TRLO0
215 517 XLON 16:02:20.531 00043131637TRLO0
983 517 XLON 16:02:20.531 00043131638TRLO0
959 516 XLON 16:11:57.726 00043132225TRLO0
208 517 XLON 16:11:57.731 00043132226TRLO0
147 517 XLON 16:11:57.731 00043132227TRLO0
173 517 XLON 16:12:58.252 00043132297TRLO0
326 517 XLON 16:13:06.195 00043132318TRLO0
74 517 XLON 16:13:31.238 00043132350TRLO0
117 517 XLON 16:13:31.238 00043132351TRLO0
408 516 XLON 16:25:18.711 00043133266TRLO0
10 516 XLON 16:28:33.240 00043133494TRLO0
212 516 XLON 16:28:33.240 00043133495TRLO0
1080 516 XLON 16:28:33.240 00043133496TRLO0
49 515 XLON 16:28:34.390 00043133499TRLO0
798 515 XLON 16:28:34.390 00043133500TRLO0
4200 515 XLON 16:28:34.392 00043133501TRLO0
98 515 XLON 16:28:34.392 00043133502TRLO0
This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact
rns@lseg.com (mailto:rns@lseg.com)
or visit
www.rns.com (http://www.rns.com/)
.
RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our
Privacy Policy (https://www.lseg.com/privacy-and-cookie-policy)
. END POSFLFLDLDIEIIR
Copyright 2019 Regulatory News Service, all rights reserved